《外圍股市》歐洲主要股市早段跌0.2%-0.8% 富時沽壓最小
美國白宮提名鮑威爾及聯儲局理事布雷納德分別連任聯儲局主席及兼任副主席,美債息率昨晚尾市急升。亞太區股市今天個別發展,澳紐、越南及菲股升0.6%-1.6%,滬指反覆三連升;但深成、韓台、印尼及已四連跌港股0.4%-1.2%,其中恆指在騰訊(00700.HK)/美團(03690.HK)/阿里巴巴(09988.HK)/吉利(00175.HK)/創科(00669.HK)/藥明生物(02269.HK)/阿里健康(00241.HK)/安踏(02020.HK)/李寧(02331.HK)挫逾2.5%-5%拖累,午後跌幅曾擴至332點低見24,618,收24,651,跌299點或1.2%。
美股期貨全面反覆偏軟,道指期貨高見35,632無以為繼,掉頭低見35,403,現報35,455,回吐116點或0.3%;昨天破頂後倒跌納指一百期貨及標普五百期貨高低見4,689/4,659及16,414/16,287,現報4,666及16,321,續吐13點或0.3%及吐60點或0.4%。
歐洲主要股市早段全面向下,德國DAX續跌0.8%報15,982;法國CAC續跌0.7%報7,054;泛歐600續跌0.8%報481.52;意大利FTSE MIB報27,151,回吐0.8%;英國富時100及西班牙IBEX 35繼昨天反彈結束四連跌後,早段回落0.2%及0.7%,報7,240及8,761。
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